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$HRUM

ENTRY IDEAL & AGRESIF
✅ ENTRY IDEAL: Rp1.070–Rp1.100
(Alasan teknikal singkat: support EMA50/MA50 daily, harga close tepat di area demand intraday, volume inflow mulai muncul pada bottom panic sell, support sideways rentang lama, dan S3 Fibo daily. Oversold StochRSI + RSI.).​

🔰 ENTRY AGRESIF: Rp1.080–Rp1.140
(Alasan teknikal: scalping sangat agresif di support bid dalam, hanya valid jika muncul bullish pinbar atau hammer reversal 5m–15m + spike volume intraday; risiko false bounce tinggi, konfirmasi candle reversal harus kuat.).​

TAKE PROFIT (TP) & STOP LOSS (SL)
🔥 TAKE PROFIT (TP):
TP1: Rp1.166
(MA9/EMA21 daily, area supply breakdown terakhir, validasi pullback uptrend pada relief swing, serta resisten minor intraday.).​

TP2: Rp1.203
(Resisten utama swing, supply zone kuat, MA50 dan area panic sell breakdown, sekaligus upper band BB daily/akhir pivot).​

🚫 STOP LOSS (SL):
SL: Rp1.029
(Support breakdown harian, ATR14 daily ~48: 1.070–48=1.022, dibulatkan ke 1.029 untuk proteksi false break—area swing low dan filter jika ARB lanjut.).​

📊 RISK-REWARD PERSENTASE
Dari Entry Ideal (Rp1.085):
TP1: +7.47% ((1.166–1.085)/1.085100)
TP2: +10.89% ((1.203–1.085)/1.085100)
SL : -5.16% ((1.029–1.085)/1.085*100)

Dari Entry Agresif (Rp1.110):
TP1: +5.05%
TP2: +8.36%
SL : -7.29%

📰 ISU, BERITA & SENTIMEN PASAR
Fundamental & Katalis:

HRUM aktif buyback saham dengan anggaran Rp837 miliar (periode 6 Okt 2025 – 2 Jan 2026, target maksimal 5,56% saham), bertujuan stabilkan harga dan menahan dampak volatilitas bearish di market.​

Transformasi strategic: contribution revenue non-coal (nikel) naik, volume penjualan nikel naik +13% QoQ Q3/2025, proyeksi Q4 profit naik dari ekspansi processing nikel—outlook jangka menengah tetap positif meski harga batubara tertekan global.​

Risiko & Sentimen Negatif:

Koreksi volume, penurunan batubara global: revenue & EBITDA turun -26% YoY, profit margin turun 48% → 31%, tekanan laba batu bara belum pulih penuh akibat ASP (average selling price) global (1Q-3Q/2025). Short pressure bisa bertahan jika data industri kurang support.​

Sentimen “profit taking” dominan setelah HRUM naik double digit sebulan terakhir, risk sudden move tetap tinggi jika IHSG/kosmetik komoditas melemah.

Sentimen Komunitas/Market:

Komunitas retail wait and see dan mulai cicil entry support bawah; forum ramai strategi scalping & quick swing, belum ada euphoria akumulasi besar—dominan strategi trading ala bid support, bukan long holder.​

🔥 TEKNIKAL & MOMENTUM (per-timeframe)

Timeframe utama yang dianalisa: Daily & 15m

5m: Tekanan jual extrem, muncul hammer kecil dan bullish volume bounce di EMAs, sinyal scalping sangat agresif.

15m: Konsolidasi di demand zone, volume mulai stabil, doji/pin bar reversal muncul.

Daily: Struktur HL/HH jangka menengah bertahan, baru breakdown pertama ke EMA50, MACD harian mulai negatif, StochRSI <10 (oversold), RSI14=44 (netral bawah), ATR14=48; OBV strong downtrend – support area 1.070–1.100, resisten 1.166/1.203.​

✨ STRATEGI TRADING (Scalping)

Timeframe: 5m–15m

Rules entry: Buy limit/support di zone 1.070–1.100 + trigger bullish candle reversal/volume spike, scaling kecil, quick TP di resisten minor.

TP/SL & sizing: Batch 1 (60%) TP1, batch 2 (25%) TP2, sisanya trailing EMA9 5m.

Contoh order: limit/agresif moment opening/reversal, disiplin cutloss jika gagal bounce.

✨ STRATEGI TRADING (Swing/Hold)

Timeframe: Daily

Rules entry & scaling in: Entry kecil batch area support MA50/EMA50 daily, tambah bila volume akumulasi harian, scaling jika breakout MA9/EMA21.

Trailing stop method: ATR-based/EMA cross trailing.

Exit plan: Parsial TP, strict cutloss <1.029, switching jika trend breakdown lanjut.

📈 MOMENTUM NAIK/TIDAK?

Kesimpulan: Belum ada momentum naik solid—hanya technical bounce/oversold relief rally, fundamental mendukung rebound setelah panic sell didukung buyback perusahaan, reversal jangka menengah jika breakout MA21+volume besar.

SINYAL:
🚀 Sinyal (Scalping / Swing): Scalping valid di demand zone + candle reversal/volume, swing baru di area konfirmasi breakout MA9–EMA21 + akumulasi, trigger utama: hammer/pin bar/follow up volume spike dari buyback corporate.

✅ Cocok Untuk: Scalping rebound / swing pendek—risk use only, tidak cocok hold lama tanpa trailing stop.

✨ Confident:

Nilai confidence: 62% — Struktur long term bullish, short term breakdown support, sinyal rebound technical valid didukung buyback, tapi risk sudden move tinggi jika market masih bearish.

✨ TIMEFRAME UTAMA:

Daily & 15m

📊 INDIKATOR UTAMA:

EMA9/21/50, MA50, StochRSI(14,14,3), RSI14, ATR14, MACD(12,26,9), OBV, VWAP, BB(20,2).

📚 RINGKASAN – [20 Okt 2025]
HRUM koreksi tajam ke support EMA50/MA50, buyback tengah berjalan dengan modal kuat, demand zone optimal untuk scalping rebound. Swing hanya untuk risk-taker, eksekusi harus disiplin SL dan trailing.

DISCLAIMER:
Bukan nasihat keuangan. Selalu gunakan manajemen risiko, position sizing, dan disiplin TP/SL.

$GTSI $KLIN

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